1.
The Application of Portfolio Theory to Compound Arbitrage;
Markowitz资产组合理论在复合套期保值中的应用
2.
The Incomplete Information and the Literature Review of Portfolio Theory
信息不完全与资产组合理论的文献综述
3.
Behavioral Portfolio Theory: Theoretical Basis, Content and Its Explanation of Anomalies
行为资产组合理论:理论基础、内容及对异象的解释
4.
The Viewing Angle of Portfolio Theory:Empirical Research for Influence Factor to Capital Flight in China
资产组合理论视角:我国资本外逃影响因素的实证研究
5.
Studay on Currency Structure of Foreign Exchange Reserves Management Base on the Theory of Asset Portfolio;
基于资产组合理论的外汇储备币种结构管理研究
6.
Modern Portfolio Theory and Its Application to the Chinese Stock Market;
现代资产组合理论及其应用于中国股票市场的实证研究
7.
The Application of Modern Portfolio Theory to Real Estate Investment;
现代投资组合理论在房地产投资中的应用
8.
Application of Portfolio Theory in Risk Control of Real Estate Investment;
投资组合理论在房地产投资风险控制中的应用
9.
Theoretical Analysis and Empirical Study on Return-Risk of Portfolio
资产组合收益—风险的理论分析与实证研究
10.
Research on the Functions of Technological Innovation Assets and its Combinatorial Theory;
技术创新资产功能分类及其组合理论研究
11.
Study of Choosing a Substitute for the Market Portfolio of Risk Assets;
风险资产市场组合的替代品问题的理论探讨
12.
The Study on Theory of Exchange Rate Lead to Capital Association Balance Model;
汇率决定的资产组合平衡模型的理论探讨
13.
Understanding of Brand Equity Theory;
品牌资产理论的再认识——兼评品牌资产与营销组合的关系
14.
The CAPM theory expatiate impetus that the foreign securities capital invest in other countries;
资产组合选择理论阐述了国际证券资本跨境投资的动力源泉;
15.
The Applications of LQ Theory to Optimal Strategy of One Kind of Multi-national Security Portfolio;
LQ理论在一类跨国资产投资组合优化决策中的应用
16.
International Equity Markets Portfolio Downside Risk Measured by Extreme Value Theory Methods
基于极值理论的国际权益资产组合下侧风险测量
17.
Theoretical Study and Evidential Analysis of Portfolio Diversification Within Real Estate;
房地产内部投资组合分散化理论研究及实证分析
18.
The Application of Combination Forecast Based on Rough Set Theoryin Measuring Intangible Asset Valuation;
基于粗集理论的组合预测法在无形资产评估中的应用